Our entities

6 different specialists with highly respected credentials

Federal
Finance Gestion, Schelcher Prince Gestion, Arkéa Banque Privée, SWEN
Capital Partners, Vivienne Investissement and Mandarine Gestion.
Together, these entities form the Arkéa Investment Services network, a
unique environment that brings together renowned specialists in the
areas of asset management and private banking. Thanks to their synergy,
we have a full range of products and solutions to address your needs in
terms of savings schemes and investment.

The original asset management arm of the Arkéa Group, specialised in asset management for third parties, recognised for its ESG management, asset allocation products, and role as a solutions provider (range of monetary, bond, and equity funds, mandates etc.).

An entity dedicated specifically to wealth management, Arkéa Banque Privée offers services that stand out for their superlative quality and availability, where client relationships hold pride of place, thanks to regular dialogue with a specialised asset manager. The combination of manager expertise and a select array of financial solutions at Arkéa’s Banque Privée allow us to offer you a complete range of products and services, including not only wealth managements and tax optimisation, but also credit, day-to-day banking and more.

A European specialist in unlisted and SRI multi-management funds, SWEN Capital Partners provides access to a broad array of unlisted securities (Private Equity, Debt, Infrastructure, Venture Capital Funds (FCPI) and Local Investment Funds (FIP) for both investors and savers, as well as offering investment solutions and related services.

FA Fintech created in 2005, Vivienne Investissement is an asset management firm that grew out of a financial research and development cluster. Today, the company continues to place research and innovation at the centre of asset allocation and portfolio management, notably by adopting a Big Data approach to market analysis.

Mandarine Gestion brings together specialists in asset management who conduct finance in sync with the real economy. Their independent analysis is their greatest strength, allowing the company to offer conviction-based active management independent of market indices.